MKS Instruments Financial Ratios for Analysis 2009-2024 | MKSI

Fifteen years of historical annual and quarterly financial ratios and margins for MKS Instruments (MKSI).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
3.182.934.674.834.515.564.274.2110.338.646.8510.959.186.867.47
0.660.520.220.260.300.160.200.33-------
1.941.100.280.350.440.190.250.49----0.00-0.02
45.3343.6146.7845.0243.7147.2046.5343.6744.6143.2639.8241.8845.5944.3833.16
-42.9017.4023.6919.4911.5723.8121.2212.1419.2517.318.7211.5322.4822.92-43.71
-42.9017.4023.6919.4911.5723.8121.2212.1419.2517.318.7211.5322.4822.92-43.71
21.4826.5327.2923.8618.1327.8826.0919.1121.9720.2111.2813.7824.0624.5410.28
-53.2312.2122.5418.159.3623.1823.369.8819.6017.478.8611.6822.6223.02-43.30
-50.839.3918.6815.027.3918.9317.708.0915.0314.835.347.4615.7716.71-54.15
0.400.310.650.600.560.790.790.590.640.640.550.560.740.870.51
2.002.052.722.552.312.853.022.652.952.862.822.782.913.032.22
6.014.936.665.935.577.026.385.217.367.345.737.846.806.173.61
60.7774.0954.8161.5265.5351.9757.2170.0949.6149.7263.6546.5453.6559.12101
-74.477.4319.0914.826.9420.9821.348.4410.5310.703.504.7513.1015.69-21.81
68.16-11.1150.8844.7435.0840.6653.7142.7413.3313.734.175.6515.2818.85-27.89
-20.192.9012.148.974.1115.0314.054.749.609.462.954.1711.6013.53-19.30
-25.683.5714.9111.024.8517.7217.145.6910.5310.703.504.7513.1015.69-21.81
36.9567.3152.0242.7737.0634.6629.2323.1421.8220.3519.1419.1918.8616.7213.83
4.788.8311.499.284.447.526.453.332.581.901.422.582.953.210.10
3.476.099.937.743.286.385.882.982.351.661.192.242.662.900.01

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.423.583.693.183.313.273.142.932.765.145.184.674.565.055.174.834.584.464.534.514.384.804.595.565.385.034.494.274.234.654.434.214.354.829.7910.336.686.146.508.647.038.227.716.859.2910.8311.1910.959.5610.5410.119.1810.258.337.486.866.436.166.697.478.018.317.66
0.660.680.660.660.660.660.520.520.540.200.210.220.230.240.250.260.270.280.290.300.310.320.340.160.160.160.170.200.220.280.300.330.340.37--------------------------0.000.000.00
2.012.191.961.941.971.971.111.101.200.260.270.280.300.310.330.350.370.390.410.440.450.480.510.190.190.200.200.250.290.390.430.490.540.60------------0.00-0.00-0.000.000.000.000.00-0.010.020.010.020.020.010.01
48.2147.2447.8146.0245.7146.8642.1944.6640.8844.1845.0146.4746.9047.3346.4045.6144.4245.2544.7343.2944.3244.5142.7345.5847.6047.9647.4246.5746.8945.6747.0245.2744.2441.7142.4242.2345.0145.3345.3844.0542.4743.1243.3142.9037.3939.4838.6239.3139.9943.1343.9044.2545.0846.7745.8744.4444.5144.1144.4941.7537.1232.0713.49
14.2914.3212.212.5812.66-169.090.1315.0112.3721.4423.1823.8223.5824.8022.4822.2519.7418.5216.7813.2114.4413.484.9820.4424.0326.4023.7523.4522.6519.3219.1215.4313.935.8912.2812.8819.7621.1221.9818.9915.0716.6018.3115.147.416.643.304.944.5215.7017.4817.4821.1425.5324.3722.1024.8222.6421.9715.822.56-205.69-52.93
14.2914.3212.212.5812.66-169.090.1315.0112.3721.4423.1823.8223.5824.8022.4822.2519.7418.5216.7813.2114.4413.484.9820.4424.0326.4023.7523.4522.6519.3219.1215.4313.935.8912.2812.8819.7621.1221.9818.9915.0716.6018.3115.147.416.643.304.944.5215.7017.4817.4821.1425.5324.3722.1024.8222.6421.9715.822.56-205.69-52.93
---------------------------------------------------------------
6.702.482.19-8.962.36-178.56-9.956.084.1920.3923.0523.4322.3722.9321.3321.2818.4516.9815.1811.0511.9810.933.3219.8023.5125.9222.8721.6920.8532.8617.6812.2311.103.8012.9613.3720.1021.4822.2219.1815.2816.7318.4215.247.536.783.515.134.7115.7817.6117.6421.2825.6624.4922.2424.8422.7522.1415.942.81-205.41-51.62
6.922.591.73-7.734.18-176.37-5.294.970.6316.9919.2719.7617.7919.4717.5817.4915.5513.5412.908.5710.257.952.7015.5619.1521.4418.9715.1715.6325.0514.8811.238.552.839.5614.8114.2215.2415.8016.8415.5911.4915.149.901.484.664.073.071.8210.4711.9313.2315.6217.2016.4116.4217.4617.5715.2110.81-3.89-273.90-21.51
0.100.100.100.100.100.110.070.090.080.160.160.170.170.180.170.170.160.150.150.150.140.140.140.180.190.220.220.210.210.200.200.180.170.150.140.140.160.170.170.170.150.150.170.170.140.140.130.120.120.160.170.150.180.210.220.220.240.250.230.180.140.100.08
0.490.500.470.490.500.510.430.620.590.620.640.710.720.750.720.720.660.610.620.610.560.550.560.650.640.770.800.810.810.860.810.800.760.680.700.650.680.720.710.730.700.670.790.820.770.690.660.600.580.690.720.620.660.730.790.780.810.900.840.680.550.420.52
1.471.491.511.481.511.591.391.511.311.591.551.721.671.741.651.681.621.431.411.461.411.511.381.561.531.691.621.701.731.791.641.631.561.391.621.561.801.751.721.911.761.821.731.751.701.641.571.631.621.691.461.421.551.491.491.581.271.351.371.270.990.820.90
61.1760.5859.7260.7759.6856.6264.8459.6768.8756.5958.2252.1953.7851.8054.5753.5355.5363.0164.0161.4563.8259.5265.2357.7458.8453.3855.4952.8151.8850.2755.0255.2657.6564.6255.6057.7249.8751.4352.3847.1551.2149.4552.1051.4153.0654.9357.4855.2055.7053.1861.8363.3858.0860.5360.4356.7970.6366.6765.8970.7291.33109100
2.591.030.62-2.791.58-70.90-0.941.200.144.154.725.234.845.584.944.894.123.473.372.122.401.940.653.825.156.826.194.895.048.424.983.662.680.781.502.202.602.943.063.162.752.032.991.980.240.730.570.410.251.832.262.293.124.074.174.034.574.404.082.33-0.37-22.03-1.91
-2.37-0.86-0.582.55-1.4663.001.41-1.80-0.189.5211.5413.9414.4613.7113.4314.7614.3013.8015.4110.6914.0013.125.117.4110.4714.1214.0412.3014.0126.3720.4318.5516.195.681.892.783.303.773.954.063.572.663.542.360.290.870.690.480.302.132.632.683.654.784.944.855.535.415.152.98-0.47-28.52-3.25
0.690.260.17-0.760.43-19.17-0.370.470.052.743.083.333.023.473.042.962.442.031.991.251.411.110.372.743.644.774.243.223.215.052.932.061.450.411.362.002.302.592.702.792.391.772.561.670.210.650.510.360.231.642.022.032.793.573.633.483.913.753.542.06-0.33-19.70-1.74
0.870.330.21-0.960.54-24.19-0.450.580.073.313.734.093.734.263.723.643.012.502.411.481.661.310.433.234.335.735.153.923.916.083.502.471.760.491.502.202.602.943.063.162.752.032.991.980.240.730.570.410.251.832.262.293.124.074.174.034.574.404.082.33-0.37-22.03-1.91
35.6333.1836.1336.9337.0137.2966.7367.3162.3956.1854.4452.0249.1647.2044.6842.7740.3938.6137.4037.0636.2135.7135.4234.6633.5332.8831.1729.2327.7726.3424.2223.1422.6922.0621.9721.8221.5321.1620.7320.3519.9519.6719.5619.1418.9118.8919.0019.1919.2219.1919.1518.8618.5518.1017.4516.7215.9315.0314.2813.8313.4813.4317.55
5.212.800.994.782.06-0.330.558.835.652.620.7311.497.995.242.289.286.613.871.364.443.031.930.537.525.063.301.326.454.983.191.203.332.350.960.432.581.781.090.371.901.270.520.181.420.780.110.052.582.141.540.522.951.971.110.513.211.500.770.330.10-0.09-0.12-0.20
4.222.130.733.471.27-0.850.306.093.861.130.529.936.864.471.807.745.533.311.183.282.221.420.276.384.392.901.155.884.663.011.132.982.130.830.392.351.620.990.321.661.120.380.131.190.61-0.01-0.022.241.931.390.432.661.790.990.472.901.270.640.270.01-0.15-0.17-0.22